Treasury and FX Risk Management Manager
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Machine translation — original language: Hebrew.Show original
We are looking for an experienced professional to join a significant role in the field of financial risk management and Treasury. The role combines day-to-day work with financial institutions, managing FX transactions, and controlling financial exposures in a professional and dynamic environment.
Responsibilities
- Managing day-to-day operations with banks, financial institutions, trading desks, and finance departments.
- Performing reconciliations and hedging, handling client documents, and preparing credit requests.
- Monitoring and managing FX exposures and risks.
- Operation, control, and verification of financial transactions.
- Day-to-day work in accordance with trading hours.
Job Requirements:
- Bachelor's degree in Economics, Business Administration, Accounting, or Finance – Mandatory.
- At least 3 years of experience in the field of FX derivatives, Treasury, or financial risk management – Mandatory.
- Deep familiarity with hedging products and financial derivatives, including Forward, Swap, and Options – Mandatory.
- Experience in the operation and control of financial transactions with banks and financial institutions – Mandatory.
- Understanding of FX exposure management and market risks – Mandatory.
- Experience working with financial systems such as Bloomberg or Reuters and high proficiency in Excel – Mandatory.
- High level of English (reading, writing, and speaking) – Mandatory.
Advantage:
- Experience in global companies, financial institutions, or trading desks.
- Accounting or regulatory knowledge in the field of financial instruments.
- Experience in building workflows and control mechanisms.
Looking for your next professional challenge in the finance field? We would be happy to get to know you.
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